We also negotiate all forms of international derivatives (ISDA), trading and prime brokerage agreements with global institutions. We regularly advise on regulatory issues impacting the alternative investment industry, including Dodd Frank, cross border regulations and the use of derivatives, repurchase transactions and structured products as leverage and hedging vehicles. We advise regulated and non-regulated clients on non-routine compliance matters, structuring issues, and regulatory considerations regarding trading activities conducted both from within and from outside the United States. We interface with regulators and address unique issues, from seeking no-action relief or interpretive guidance, to responding efficiently and effectively on behalf of clients regarding CFTC, NFA, or exchange requests.

Our deep understanding of the derivatives industry enables us to assist clients in their day-to-day operations, and to address the complexities that they face, from ”routine” audits to complex registration, trading, and employment matters. We represent clients in leading edge and emerging areas of the law, including matters such as application of distributed ledger technology and cryptocurrencies in the futures and derivatives markets.

We also represent clients in a variety of adversarial proceedings – whether in litigation or arbitration brought by customers, competitors, or former employees, or in registration and enforcement actions brought by CFTC, NFA, and exchanges that oversee the futures and derivatives industry. Our clients call upon the industry group’s experienced litigators to provide zealous and efficient representation in defense of these matters.